خلاصہ

1- Strong technical accounting skills
2- Developing and Implementing Financial Systems & Controls
3-. Perform a variety of professional accounting functions supporting City-wide operations; maintain
accuracy of general, revenue, and expenditure ledgers and subsidiary financial systems.
4-Prepare bank reconciliations and related journal entries for a variety of accounts.
5-Provide assistance in the development of the annual budget; assist in the review and validation of the
annual City budget; create a variety of spreadsheets, documents, and graphs; assist in preparing the
final budget document for approval.

تجربہ

کمپنی کا لوگو
Accounts Officer
Orient Engineering Service
اکتوبر ۲۰۱۹ - موجودہ | Lahore, Pakistan

• Handling of Petty cash in office and daily update according to the requirement of cash & advances to employees for their needs
• Maintaining & updating Petty cash register Record keeping of Cash payment vouchers in software
• Monthly reconciliation of Manual sheet of Cash book with Accounting software
• Preparing Bank reconciliation on daily basis after confirmation of balance from bank
• Preparing Bank Payment vouchers after arranging supports with regarding voucher approval and make cheques and, fill deposit slips and proceeds payments accordingly.
• After Proceeding Payment Checking official mails and replaying them regarding any query required by staff.
• Preparing Bank Receipts vouchers in accounting software regarding posting in proper ledger head(s).
• Updating Daily payments & Receipts of Bank
• Monitoring advances to staff for expenses as well as to check the posting in proper allocated ledger of employee
• Formulating Monthly expenses report relate to cash
• Implementation of Policies & expenses relate to them
• Responsible for approval of expenses from the respective authority and their reimbursement on time and update them in software and manual sheets
• Maintaining & updating records of branches
• Responsible for check expenses of branches & updating them in software
• Responsible for update ledgers of other branch
• Monthly reconciliation of Advances to Employees Bank Book with Bank Statement and petty cash with accounting software
• Responsible for other comapany Bank payment vouchers and proceed payment accordingly
• Responsible for Orichem Payments as well
• Responsible for entering data in OES Quick book software related to bank payments
• Reconciliation of OES advances with advances in accounting software
• Keep record of related to cash payments and their reconciliation
• Update record of Other correlated to cash payments and their reconciliation
• Contact all employees in North Region regarding any queries

کمپنی کا لوگو
Accounts Officer
Orient Engineering Services
اکتوبر ۲۰۱۹ - جنوری ۲۰۲۰ | Lahore, Pakistan

تعلیم

National University of Modern Language (NUML)
ماسٹرز, , M.COM ACCOUNING‎
Accounting & Finance
CGPA 3.0/4
2018
National University of Modern Language (NUML)
ماسٹرز, ماسٹرز ان کامرس, M.COM‎
Accounting & Finance
CGPA 3.0/4
2018

پیشہ ورانہ مہارتیں

متوسط ability to reflect on one\'s own work as well as
متوسط business acumen and interest
متوسط Integrity
ماہر organisational skills and ability to manage
متوسط Accounnts Management
متوسط Account
متوسط Account Creation
متوسط Account Management =
ماہر Accounts Administration
ماہر B.Com
ماہر Bookkiping
ماہر Buisness Stratgies
متوسط Cash Flow Management
ماہر Conservation Awareness
ماہر Financial Accounting
ماہر General Ledger Maintenenace
ماہر Handling Assignments
متوسط Health Ftness
متوسط Invoice Processing
ماہر Mechanical System Upgradation
متوسط Planning and Budgeting
ماہر problem analysis and problem-solving skills
ماہر Quality Metrics
ماہر Reconciliation
ماہر Self motivation , Organizational Skills
ماہر Xray Equipment Maintenance

زبانیں

متوسط انگریزی

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